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What is the expected return variance and standard deviation of the returns on a portfolio that is invested 60 percent in stock 5 and 40
What is the expected return variance and standard deviation of the returns on a portfolio that is invested 60 percent in stock 5 and 40 percent in stock T? Return in State Probability of Stock 5 State Stock T State Boom 2096 4096 6096 1996 596 Normal 396 For expected return, indicate your answer as a two-decimal percentage. For example, 4.5696 For variance, indicate your answer as a four-decimal number. For example, 0.0045 For standard deviation, indicate your answer a two-decimal percentage. For example, 12.67%
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